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PNGAY PING AN INSURANCE

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  • 12.280
  • -0.230-1.84%
15min DelayClose Mar 21 16:00 ET
111.81BMarket Cap6.37P/E (TTM)

PING AN INSURANCE Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
34.28%146.73B
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----
----
-18.95%109.27B
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Deferred tax
77.61%-1.54B
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----
----
----
65.93%-6.86B
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----
----
----
Other non cash items
-20.30%21.02B
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----
----
----
6.76%26.37B
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----
----
----
Change in working capital
28.84%362.57B
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----
----
----
-20.73%281.41B
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-Change in receivables
-73.25%-312.89B
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----
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61.08%-180.6B
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----
Cash from discontinued operating activities
Operating cash flow
6.12%382.47B
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-24.41%360.4B
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Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale
-289.76%-421.37B
-197.11%-208.13B
-2,474.76%-64.26B
-944.52%-146.89B
92.19%-2.09B
37.91%-108.11B
-189.31%-70.05B
51.34%2.71B
86.73%-14.06B
82.01%-26.7B
Net PPE purchase and sale
7.02%-6.27B
-59.37%-3.44B
41.39%-1.14B
51.94%-657M
19.07%-1.03B
18.80%-6.74B
29.59%-2.16B
23.71%-1.94B
13.15%-1.37B
-14.06%-1.27B
Net business purchase and sale
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----
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----
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100.18%65M
99.98%-7M
--67M
1,500.00%16M
-104.53%-11M
Net other investing changes
5.57%11.39B
-50.25%1.76B
331.21%7.46B
-115.10%-772M
618.83%2.94B
185.06%10.78B
2,404.96%3.53B
203.35%1.73B
32.29%5.11B
-71.81%409M
Cash from discontinued investing activities
Investing cash flow
-300.24%-416.25B
-205.46%-209.82B
-2,360.55%-57.94B
-1,339.86%-148.32B
99.36%-177M
51.80%-104B
-280.05%-68.69B
205.52%2.56B
90.06%-10.3B
81.35%-27.58B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-65.44%-49.83B
-0.60%94.45B
118.88%19.71B
-809.08%-181.58B
137.97%17.59B
87.80%-30.12B
346.33%95.02B
-841.18%-104.42B
121.26%25.61B
39.69%-46.32B
Cash dividends paid
8.09%-61.42B
2.91%-21.42B
-99.76%-29.52B
72.60%-6.53B
35.88%-3.96B
6.31%-66.83B
8.47%-22.07B
-188.26%-14.78B
33.16%-23.81B
4.56%-6.17B
Net other financing charges
230.79%155.45B
1,075.13%160.29B
38.43%-33.12B
1,386.31%52.06B
46.64%-23.79B
-226.61%-118.85B
67.13%-16.44B
-138.18%-53.78B
-104.69%-4.05B
-155.55%-44.58B
Cash from discontinued financing activities
Financing cash flow
113.94%30.95B
315.58%229.62B
74.80%-43.63B
-2,720.77%-143.01B
87.87%-12.02B
3.82%-222.06B
148.26%55.25B
-324.77%-173.15B
92.80%-5.07B
-1,811.83%-99.09B
Net cash flow
Beginning cash position
8.17%480.47B
9.54%491.43B
2.85%482.71B
3.33%544.1B
8.17%480.47B
9.55%444.2B
17.44%448.64B
19.12%469.32B
7.01%526.58B
9.55%444.2B
Current changes in cash
-108.23%-2.83B
-144.70%-15.34B
155.17%11.16B
2.62%-61.41B
-24.68%62.76B
13.94%34.35B
-44.37%34.32B
-22.79%-20.23B
38.60%-63.06B
-4.91%83.32B
Effect of exchange rate changes
-27.29%1.4B
218.67%2.96B
-452.26%-2.44B
-99.76%14M
192.66%871M
-77.58%1.92B
-599.00%-2.49B
-109.80%-442M
25.92%5.8B
8.83%-940M
End cash position
-0.30%479.05B
-0.30%479.05B
9.54%491.43B
2.85%482.71B
3.33%544.1B
8.17%480.47B
8.17%480.47B
17.44%448.64B
19.12%469.32B
7.01%526.58B
Free cash flow
6.58%375.8B
-185.43%-38.75B
-24.60%111.46B
566.26%229.19B
-64.57%73.9B
-24.64%352.59B
-66.32%45.36B
515.54%147.82B
-170.44%-49.16B
-12.88%208.57B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 34.28%146.73B-----------------18.95%109.27B----------------
Deferred tax 77.61%-1.54B----------------65.93%-6.86B----------------
Other non cash items -20.30%21.02B----------------6.76%26.37B----------------
Change in working capital 28.84%362.57B-----------------20.73%281.41B----------------
-Change in receivables -73.25%-312.89B----------------61.08%-180.6B----------------
Cash from discontinued operating activities
Operating cash flow 6.12%382.47B-----------------24.41%360.4B----------------
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale -289.76%-421.37B-197.11%-208.13B-2,474.76%-64.26B-944.52%-146.89B92.19%-2.09B37.91%-108.11B-189.31%-70.05B51.34%2.71B86.73%-14.06B82.01%-26.7B
Net PPE purchase and sale 7.02%-6.27B-59.37%-3.44B41.39%-1.14B51.94%-657M19.07%-1.03B18.80%-6.74B29.59%-2.16B23.71%-1.94B13.15%-1.37B-14.06%-1.27B
Net business purchase and sale --------------------100.18%65M99.98%-7M--67M1,500.00%16M-104.53%-11M
Net other investing changes 5.57%11.39B-50.25%1.76B331.21%7.46B-115.10%-772M618.83%2.94B185.06%10.78B2,404.96%3.53B203.35%1.73B32.29%5.11B-71.81%409M
Cash from discontinued investing activities
Investing cash flow -300.24%-416.25B-205.46%-209.82B-2,360.55%-57.94B-1,339.86%-148.32B99.36%-177M51.80%-104B-280.05%-68.69B205.52%2.56B90.06%-10.3B81.35%-27.58B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -65.44%-49.83B-0.60%94.45B118.88%19.71B-809.08%-181.58B137.97%17.59B87.80%-30.12B346.33%95.02B-841.18%-104.42B121.26%25.61B39.69%-46.32B
Cash dividends paid 8.09%-61.42B2.91%-21.42B-99.76%-29.52B72.60%-6.53B35.88%-3.96B6.31%-66.83B8.47%-22.07B-188.26%-14.78B33.16%-23.81B4.56%-6.17B
Net other financing charges 230.79%155.45B1,075.13%160.29B38.43%-33.12B1,386.31%52.06B46.64%-23.79B-226.61%-118.85B67.13%-16.44B-138.18%-53.78B-104.69%-4.05B-155.55%-44.58B
Cash from discontinued financing activities
Financing cash flow 113.94%30.95B315.58%229.62B74.80%-43.63B-2,720.77%-143.01B87.87%-12.02B3.82%-222.06B148.26%55.25B-324.77%-173.15B92.80%-5.07B-1,811.83%-99.09B
Net cash flow
Beginning cash position 8.17%480.47B9.54%491.43B2.85%482.71B3.33%544.1B8.17%480.47B9.55%444.2B17.44%448.64B19.12%469.32B7.01%526.58B9.55%444.2B
Current changes in cash -108.23%-2.83B-144.70%-15.34B155.17%11.16B2.62%-61.41B-24.68%62.76B13.94%34.35B-44.37%34.32B-22.79%-20.23B38.60%-63.06B-4.91%83.32B
Effect of exchange rate changes -27.29%1.4B218.67%2.96B-452.26%-2.44B-99.76%14M192.66%871M-77.58%1.92B-599.00%-2.49B-109.80%-442M25.92%5.8B8.83%-940M
End cash position -0.30%479.05B-0.30%479.05B9.54%491.43B2.85%482.71B3.33%544.1B8.17%480.47B8.17%480.47B17.44%448.64B19.12%469.32B7.01%526.58B
Free cash flow 6.58%375.8B-185.43%-38.75B-24.60%111.46B566.26%229.19B-64.57%73.9B-24.64%352.59B-66.32%45.36B515.54%147.82B-170.44%-49.16B-12.88%208.57B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY

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